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, Section 2. That funds in the amount of $1,518,300.00, authorized by this <br /> Ordinance, will be appropriated for expenditures from the General Fund, Convention & <br /> , Visitors Bureau Fund, Utility Fund, and Lake Enterprise Fund as described above. <br /> Section 3. That Section 1 of Ordinance No. 98-19, as amended, is hereby <br /> amended to read as follows: <br /> "Section 1. That the appropriation amounts for the FY 98 budget for different funds <br /> of Grapevine are hereby fixed as follows: <br /> GeneralFund......................................................................................$28,623,254 <br /> UtilityFund ...........................................................................................11,340,144 <br /> DebtService Fund .................................................................................7,285,342 <br /> Convention & Visitors Bureau Fund........................................................3,527,602 <br /> Lake Enterprise Fund .............................................................................1,556,773 <br /> InsuranceFund.......................................................................................2,390,175 <br /> FleetServices Fund...................................................................................635,122 <br /> Internal Capital Leasing Fund.................................................................1,351,539 <br /> General Government Capital Projects Fund ......................................... 10,348,593 <br /> Permanent Street Maintenance Fund........................................................682,171 <br /> Permanent Capital Maintenance Fund-General ........................................716,159 <br /> Utility & Lake Enterprise Capital Project Fund ........................................7,207,032 <br /> Utility Permanent Capital Maintenance Fund.......................................... 1,120,100 <br /> �-� Lake Enterprise Permanent Capital Maintenance Fund ..............................81,000 <br /> Stormwater Drainage Utility Fund .............................................................338,449" <br /> Section 3. That the City Manager be and is hereby authorized to make the <br /> appropriate change to the budget to reflect the change noted above. <br /> Section 4. A true copy of this Ordinance amending the Fiscal Year 1997-98 budget <br /> shall be filed with the City Secretary. <br /> Section 5. The fact that the present ordinances and regulations of the City of <br /> Grapevine, Texas are inadequate to properly safeguard the health, safety, morals, peace <br /> and general welfare of the public creates an emergency which requires that this Ordinance <br /> become effective from and after the date of its passage, and it is accordingly so ordained. <br /> PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF <br /> GRAPEVINE, TEXAS on this the 3rd day of March <br /> , <br /> ���: <br /> 1998. <br /> �� <br /> ORD. NO. 9$-31 2 <br />